Table of Contents

▶️How To Create A Bank Deposit

Matt Staff Updated by Matt Staff

Combine cash receipts to a single bank deposit that ties out to your bank reconciliation.

1. Click on Bank Deposit

In the main navigation menu, select the Accounting module and click on Bank Deposit.

2. Click on Add New

Select the green "Add New" button in right corner.

3. Enter Details

Enter the bank deposit detail, such as cash account and book period.

4. Select Cash Receipts

Select cash receipts to combine to bank deposit.

5. Click on Save

How did we do?

▶️How To Complete A Bank Reconciliation

Contact